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基金业绩

基金费率

投资组合

基金概况

财务数据

人保精选混合C(005042)

2024-05-27     1.15770.7134%
席位交易
单位:万元
报告期 股票交易 债券交易 回购交易 合计 佣金
2023-12-31199,901.780.003,600.000.00147.67
2023-06-3055,443.670.00400.000.0040.55
2022-12-31118,031.620.001,000.000.0086.32
2022-06-3048,512.680.001,000.000.0035.48
2021-12-31156,841.93764.6146,120.00123,292.58114.70
2021-06-3057,435.63749.0543,920.0072,385.8442.00
2020-12-31117,968.264.632,780.000.0086.27
2020-06-3068,768.330.00800.000.0050.29
2019-12-3190,477.741,059.59206,500.00126,226.2066.17
2019-06-3043,167.701,059.59206,500.00122,796.0531.57
2018-12-3176,510.647,106.191,032,320.00827,309.2155.95
2018-06-3024,327.786,728.66725,080.00756,136.4417.79